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RESERVE

FEDERAL
statistical

release

library

7

T

U

*

itESEKVEgjjfe

.

c

J

c

May 11, 1966
For immediate release

ASSETS AHD LIABILITIES OF ALL BANKS IN THE DOTTED STATES, APRIL 27, 1966
J.4
Item

(Partly estimated.
All
All
coml.
banks
banks

In millions of dollars)
Reserve city banks
All
member Nev York City of
Other
Chicago
City
banka

Country
banks

ASSETS
Loans and Investments

363,450

306,240 252,103

44,238

11,260

Loans and discounts
» U. S. Govt, obligations
Other securities

251,510 205,080 172,702
60,230 54,990 41,370
38,031
51,710 46,170

33,427
4,426
6,385

8,l6l
1,470
1,629

66,743
12,583
13,071

64,371
22,891
16,946

92,397 104,208

Reserves* cash, and
bank balances

57,100

56,250

49,323

10,952

2,568

20,021

15,782 ,

Reserve with FR Banks
Cash in vault
Balances with banks
« Cash items

18,180
5,650
13,820
19,450

18,180
5,520
13,150
19,400

18,176
4,286
7,929
18,932

4,127
329
295
6,201

1,168
87
160
1,153

7,502
1,312
2,335
8,872

5,379
2,558
5,139
2,706

Other assets

11.180

10.220

8.916

2 .8^0

461

3,091

2,534 .

TOTAL ASSETS/LIABILITIES 431,730

372,710

310,342

58,020

LIABILITIES & CAPITAL
Oross demand deposits
Gross time deposits

172,560 172,510 144,891
206,680 153,620 125,975

28,680
19,451

TOTAL DEPOSITS

379,2to 326,130 _ 270,866

48,131

16,730 16,730
15,713
4,810
5,110
5,U0
152,040 151,990 125,479
205,360 152,300 124,864

5,425
1,478
22,475
18,753

1,254
531
5,412
5,122

7,090
1,763
44,751
47,313

1,944
1,038
52,841
53,676

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

14,289 115,509 122,524
7,164
5,155

53,367
47,550

55,680

,,51s.§i2_

12,319 100,917 109,499

4,910

4,910

4,554

1,200

367

2,225

762

‘other liabilities

12,210

11,010

9,683

3,563

472

3,200

2,448

Total capital accounts

35.370

30.660

25.329.

5,126

Borrowings

VOTE:

9.167 /.....

1/ Excludes total coml. Interbank loans.
302,700
201,000
55,900
45,800
Comparability of figures affected by changes in FR membership, mergers, etc.
iMifl in reserve classifications.

Seasonally adjusted data

Taamm

1031_

avi/I

4wiraaa{*mAn'l*.a 1 / *




1
-

2-

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
MARCH 30, 1966 TO APRIL 21 , 1966
J.4
Item

I

(Partly estimated. In millions of dollars)
Reserve city banks
All
All
All
City of
New
York
coml.
member
Other
banks £/
Chicago
banks
banks
City

ASSETS
Loans and investments
Loans and discounts
U- S. Govt, obligations
Other securities
Reserves, cash, and
bank balances

+2,550 - +2,256

+ 235

+ 58

+1,326

+ 637 1

+1,930
- 390
+ 860

+1,590
- 30
+ 990

- 310
+ 155
+ 390

+ 61
- 62
+ 59

+ 702
+ 324
+ 300

+ 754
277 t
+ 160 1

+ 590
+ 40
+ 470
+1,350

+ 590
+ 40
+ 520
+1,350

- 170

- 130

+4, 680

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits
TOTAL DEPOSITS

TOTAL ASSETS/LIABILITIES

+1,207
+ 140
+ 909

i

+2,500

Other assets

Country
banks

+2,400

+2,450

Reserve with FR Banks
Cash in vault
Balances with banks
Cash items

1

--------------

+ 116

+2,440

+ 462

+396,

+1.466

+ 588
49
+ 470
+1,333

+ 161
6
+
59
+ 248

+253
+ 4
+ 46
+ 93

+ 240
+ 17
+ 262
+ 947

- 173

- 160

- 65

-

59

+

111 *

+4,920 . +4,523

+

537

+389

+2,733

+

864

+4,670
+ 980

+4,670
+1,360

+4,425
+1,185

+1,418
+ 287

+744
+ 5

+1,741
+ 515

+

+5,650

+6,030

+5,610

+1,705

+749

+2,256

+

mm

+
+

66 |
3^
103

+

1
+

+

522
378
?00

t

t

+ 340
- 50
+4,390
+ 970

+ 340
- 50
+4,390
+1,350

+ 339
+ 176
+3,921
+1,174

+
+
+
+

292
413
719
281

+ 37
+327
+377
+ 8

+
6
+ 108
+1,635
+ 507

Borrowings

-1,230

-1,230

-1,203

- 969

-252

+

70

-

52

Other liabilities

+

60

- 110

-

- 229

-116

+ 329

-

57

Total capital accounts

+ 200

+ 230

+ 189

78

+

73

Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

73

4
672
+1,190 h
+
378 ^

+

-

t
i

Seasonally adjusted data
Loans and investments l/. . .
Loans and discounts l/. . .
U.S. Govt. obligations




+

30

+

8

+

For numbered footnotes, see first page.
+2,800
+1,700
+
300
+ 800

^

r/ March 30, 1966, mutual savings banks
figures revised.
i

I

-3-

CHANGES IN ASSETS AND LIABILITIES OF ALL BANKS IN THE UNITED STATES,
APRIL 28, I965 TO APRIL 27, 1966
j.4
*

Item

(Partly estimated. In millions of dollars)
Reserve city banks
All
All
All
coml.
member New York City of
Other
banks
Chicago
banks
banks
City

Country
banks

ASSETS
+ 835

+6,132

+ 9,357

+1,088
+4,254
- 199
- 338
.
54
3

+7,042
-2,046
+1,136

+ 7,367
- 602
+ 2,592

+ 4,217

+1,108

+ 250

+1,499

+ 1,360 ;

+ 1,060 + 1,060
+
370 + 370
+ 670 + 760
+ 2,420 + 2,420

+ 1,053
+
323
+ 46l
+ 2,380

+ 192
+
17
+ 82
+ 817

+
56
+ 26
+
30
+ 138

+ 317
+
94
+ 28
+1,060

+
+
+
+

488
186
321
365

+ 1,070

+

865

+ 147

+ 109

+ 269

+

3^0

+25,319

+5,168

+1,194

+7,900

+11,057

LIABILITIES & CAPITAL
Gross demand deposits
Gross time deposits

+ 8,660 .+ 8,660 + 7,3^9
+21,260 +18,330 +14,954

+1,946
+2,683

+ 472
+ 452

+1,605
+5,3H

+ 3,326
+ 6,508

TOTAL DEPOSITS

+29,920 +26,990

+22,303

+4,629

+ 924

+6,916

+ 9,83^

+ 1,360 + 1,360 + 1,244
- 1,980 - 1,980 - 1,665
+ 9,440 + 9,440 + 7,910
+21,100 +18,170 +14,814

+ 707
- 271
+1,633
+2,560

+ 50
+ 66
+ 365
+ 443

+ 336
- 828
+2,100
+5,308

+ 151
- 632
+ 3,812
+ 6,503

- ^55

+

+

+25,000

Loans and investments

+28,430

Loans and discounts
» U* S. Govt, obligations
Other securities

+27,620 +23,550 +19,751
- 3,950 - 3,330 - 3,185
+ 4,760 + 4,780 + 3,671

Reserves, cash, and
bank balances

+ 4,520

+ 4,610

Reserve with FR Banks
Cash in vault
Balances with banks
1 Cash”items
Other assets
*

TOTAL ASSETS/LIABILITIES

1 Deposits of banks
U. S. Govt, deposits
Other demand deposits
Other time deposits

+ 1,040

+34,020 +30,650

+3,913

borrowings

-

110

248

Other liabilities

+ 1,510 + 1,320

+ 1,278

+ 2,700

+ 1,986 ...+ 602

ITotal capital accounts
Seasonally adjusted data
1 Loans and investments 3/...
Loans and discounts y •••




110

+20,237

-

+ 2,450

385

85

+

280

+ 192

+ 577

+

124

66

+ 492

+

819

+

12

-

For numbered footnotes, see first page.
+25,400
+23,900
- 3,200
+ 4,700

-4-

!

CONSOLIDATED CONDITION STATEMENT FOR BANKS AND THE MONETARY SYSTEM*

*

All Commercial, Savings, and Federal Reserve Banka,
the Postal Savings System, and Treasury Currency Funds
J.4

(Partly estimated.
Item

|

In ■billions of dollars)

2r[,

Change to Apr.
19o6 from —
Apr. 27, Mar- 30. Apr. 28 , Mar. 30 , Apr. 28,
1966 r/
1966
1966
1965 '
1965

ASSETS
Monetary reserve
Gold stock
Treasury Currency
Bank credit
Loans, net
U> S. Govt, obligations
Commercial and savings banka
Federal Reserve Banks
Other
Other securities
Total assets, net

19-4

19.4

19*8

13*6
5 .8

13*6
5*7

14.4

400.6

397*1

368.9

247-0
101.8

244.2

219.3

1 0 2 .1

10 2 .6

+2 .9
- *3

+27.7
- .8

60 .2

60 .6

40.7
•9

40-5
1.0

64.2
37-4
l.l

- .4
+ .2
- .1

- 4.0
+ 3*^
- .2

51*7

.. 50.9

47.0

+ .9

+ 4.8

+ *1

-

.4

+ •X

+

.4

■ +3 .5

.8

+31-7

,

»

420.0

.MLl-

...J88,iI.

374.1

rro.o

^.7

+4-1

+30.5

33.5
125-6
184.2
.4

+ .1
+3.0
+1.0

+ 2.4
+ 7*0
+21.1 4
- .1

... +1.J—

+u. ^

LIABILITIES AND CAPITAL
Total deposits adjusted and
currency outside banks
Currency outside banks
Demand deposits adjusted 1/
Time deposits adjusted
Postal savings deposits
TJ. S. Government deposits
At commercial and savings banks
At Federal Reserve Banks
Foreign bank deposits, net
Treasury cash
Capital and miscellaneous account, net
Total liabilities and capital, net

35*9

35-8

1 3 2 .6
205.3

12 9 .6

*3

204.4
•3

5*^

5*7 .

8.0

.. - *3 .

5-1
♦3

5*1
•5

7*1
1.0

- .1
- .2

1*7
•9
37*8

1*7
•9
... 38-2'

1*5
.8
34.7

+ .1

4 16 .5

.288 £L_.,

420.0

.4

- 2.6
+
+
+

2.0
-7
.2
*2 *
3*1 .

+31.3

Seasonally adjusted
+ 2.4
Currency outside banks
36.2
36.2
33-8
125-2
132.4
- .2
Demand deposits adjusted
132.2
+ 7.0
* Figures may not add to totals because of rounding. Treasury funds Included are
gold account, Treasury currency account, and Exchange Stabilization Fund,
l/ Demand deposits adjusted, including demand deposits of foreign banks and of mutual
savings banks, were $135*0 billion on April 27, 1.966*
Digitized
FRASER savings banks figures for March 30, 1966 revised.
t Jfor Mutual


.